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국내 식품 제조, 유통, 외식기업 정보를 제공합니다. 기업별 현황 및 재무정보를 볼 수 있습니다.

현황정보

  • 산업 수산동물 냉동품 제조업
  • 기업형태 중견기업
  • 사원수 483명 (2023년 기준)
  • 설립일 1963-03-14
현황정보
회사명 한성기업(주)(Hansung Enterprise Co.,Ltd.)
기본정보 업종 제조업 표준산업분류 (10C1021300)수산동물 냉동품 제조업
대표자 임우근/임준호 (Im,U Geun/Im,Jun Ho)
매출
주소 부산 영도구 태종로 63 (63, Taejong-ro Yeongdo-gu Busan)
웹사이트 www.hsep.com
외부감사여부 외부감사대상

재무정보

매출액 현황

업종대비기업 현황

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재무정보 목록

특허정보

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특허정보 목록
연도 2014 2015 2016 2017 2018 2019 2020 2021 2022
특허건수 0 0 0 0 0 0 0 0 0
2020년 기준 특허 목록
특허등록일자 특허등록번호 출원인 한글발명의 명칭

재무재표(단위:백만원)

재무상태표
연도 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022
자산총계 156,745 157,313 136,671 127,466 113,319 107,350 104,945 137,704 144,799 148,042 159,638 164,435 193,008 196,597 214,603 230,856 215,309 222,228 233,559 195,752 199,924 234,919
부채총계 112,828 113,338 98,409 87,319 95,645 85,347 81,368 90,289 93,071 91,386 99,393 102,727 129,176 146,349 161,180 177,807 159,173 168,225 183,694 145,267 155,370 182,635
자본총계 43,917 43,975 38,262 40,147 17,673 22,003 23,578 47,416 51,728 56,656 60,245 61,708 63,832 50,248 53,423 53,049 56,136 54,003 49,865 50,485 44,554 52,283
부채외자본총계 156,745 157,313 136,671 127,466 113,319 107,350 104,945 137,704 144,799 148,042 159,638 164,435 193,008 196,597 214,603 230,856 215,309 222,228 233,559 195,752 199,924 234,919
유동자산(계) 740 -1,325 -5,707 1,080 -23,808 4,693 1,359 3,172 3,618 4,938 6,785 3,717 2,133 -12,402 2,407 -48 2,593 -2,633 -17,371 2,266 -7,508 1,414
당좌자산(계) 78,761 60,924 54,213 50,367 50,389 54,223 54,580 54,985 64,909 59,634 62,666 54,624 60,437 60,050 77,966 105,805 105,165 92,738 88,085 81,935 79,536 99,648
재고자산(계) 27,346 27,916 21,031 22,444 18,329 14,648 15,581 25,230 17,293 25,732 28,055 34,985 34,091 31,388 31,699 22,576 17,826 23,353 27,779 21,114 25,484 36,283
비유동자산(계) 50,638 68,474 61,427 54,655 44,601 38,479 34,785 57,489 62,596 62,676 68,917 74,826 98,481 105,159 104,938 102,475 92,318 106,136 117,695 92,703 94,904 98,988
투자자산(계) 22,145 21,860 16,181 14,189 10,642 10,668 9,853 8,031 6,496 6,323 23,351 23,535 21,815 24,324 25,032 25,551 20,331 35,040 32,586 31,335 33,779 36,145
유형자산(계) 22,665 37,053 37,028 32,612 31,400 26,041 22,440 47,032 53,619 53,881 43,225 48,906 62,426 66,415 66,113 64,916 62,662 62,445 76,355 54,008 52,593 57,401
무형자산(계) 48 81 164 202 179 164 140 133 84 17 745 753 935 950 624 558 491 451 438 430 423 418
기타비유동자산(계) 5,780 9,479 8,055 7,652 2,379 1,605 2,351 2,293 2,398 2,454 1,596 1,632 13,304 13,471 13,170 11,449 8,834 8,200 8,316 6,931 8,109 5,025
이연자산(계)
유동부채(계) 72,679 101,926 76,789 77,498 77,636 72,752 72,289 76,118 80,909 79,915 65,213 82,127 73,839 117,109 134,464 154,341 135,277 146,667 162,659 131,197 113,752 126,649
비유동부채(계) 40,149 11,412 21,620 9,821 18,009 12,595 9,079 14,170 12,162 11,472 34,180 20,601 55,338 29,240 26,716 23,466 23,896 21,557 21,035 14,070 41,618 55,986
이연부채(계)
자본금 22,174 23,492 23,492 24,383 25,876 25,876 25,876 25,876 26,885 26,885 27,390 27,390 27,390 27,390 27,390 27,390 27,390 29,669 30,854 31,048 31,048 31,048
자본잉여금 21,177 21,648 21,648 14,863 14,971 562 1,096 1,309 1,325 1,325 1,325
기타포괄손익누계액 -621 180 173 -178 -139 -382 -162 20,504 20,190 20,180 38 182 171 -90 -126 12,491 12,681 15,736 21,164
이익잉여금 1,187 -1,344 -7,051 1,080 -23,035 -3,491 -2,137 1,035 4,653 9,591 36,424 38,325 40,449 26,866 29,858 29,495 32,282 27,371 9,219 10,398 1,412 3,713
손익계산서
연도 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022
매출판매 155,368 165,700 169,169 145,105 145,308 152,135 171,920 201,763 225,173 253,611 268,378 272,904 283,729 287,155 291,547 320,683 322,797 286,868 270,095 266,148 251,529 292,151
매출원가 124,305 129,790 127,818 110,099 118,119 116,639 131,670 156,023 177,687 204,889 219,916 225,343 236,098 239,404 242,592 266,931 268,120 245,145 230,596 221,474 208,998 244,743
매출총이익(손실) 31,062 35,910 41,351 35,005 27,189 35,496 40,250 45,740 47,486 48,722 48,462 47,561 47,631 47,751 48,955 53,752 54,678 41,723 39,498 44,674 42,531 47,408
영업이익(손실) 10,466 8,069 9,778 4,447 -4,070 6,069 8,344 12,939 16,723 12,077 9,597 6,007 3,127 1,252 4,729 7,865 6,713 767 -8,255 6,364 -5,791 7,064
법인세비용차감전
계속사업이익(손실)
1,819 -955 -5,537 2,545 -22,432 5,886 1,398 3,206 5,087 7,587 9,115 4,331 2,551 -14,992 3,928 -199 2,211 -3,322 -21,587 2,862 -9,846 2,446
당기순이익(손실)
판매비와관리비 20,596 27,841 31,572 30,559 31,259 29,427 31,907 32,801 30,763 36,645 38,865 41,554 44,504 46,499 44,226 45,887 47,965 40,956 47,753 38,310 48,322 40,344
영업외수익 4,428 12,800 1,866 11,049 2,244 9,487 6,070 6,118 1,938 1,901 5,220 3,439 7,504 3,427 7,639 8,972 9,027 2,477 2,928 31,067 3,236 3,974
영업외비용 13,076 21,824 17,181 12,951 20,607 9,670 13,016 15,851 13,574 6,390 5,703 5,114 8,080 19,671 8,440 17,036 13,528 6,567 16,260 34,569 7,292 8,592
이익잉여금 처분계산서
연도 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022
당기순이익 740 -1,325 -5,707 1,080 -23,808 4,693 1,359 3,172 3,618 4,938 6,785 3,717 2,133 -12,402 2,407 -48 2,593 -2,633 -17,371 2,266 -7,508 1,414
미처분이익잉여금 740 -2,531 -7,051 1,080 -23,035 -3,491 -2,137 1,035 4,653 9,291 36,124 37,932 40,056 25,773 28,865 28,502 31,589 26,902 9,049 10,229 1,242 3,544
현금흐름표
연도 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022
영업활동으로인한현금흐름 5,182 14,709 1,289 1,084 -7,368 2,096 62 -2,068 14,708 22,406 -1,296 0 -4,423 -142 -13,479 -2,690 9,774 -2,771 -5,404 29,183 -8,360 -8,161
투자활동으로인한현금흐름 -3,115 -5,937 170 11,233 -1,418 11,278 3,519 3,336 -10,150 -16,577 -364 -2,077 -14,305 -7,723 -978 3,812 11,381 -2,824 3,956 -188 -1,443 -2,480
재무활동으로인한현금흐름 -3,714 -11,943 -4,125 -11,277 8,186 -12,696 -2,907 -1,038 1,304 -8,633 1,326 2,725 18,697 7,938 14,106 -1,832 -20,518 6,699 697 -30,049 10,823 9,509
현금의증가(감소) -1,647 -3,171 -2,667 1,040 -599 678 674 230 5,863 -2,805 -334 648 -31 73 -350 -711 637 1,104 -751 -1,054 1,020 -1,133
기초의현금 7,670 6,023 2,852 186 1,226 627 1,305 1,979 2,209 8,072 5,267 4,933 5,581 5,549 5,644 5,294 4,583 5,220 6,323 5,572 4,518 5,538
기말의현금 6,023 2,852 186 1,226 627 1,305 1,979 2,209 8,072 5,267 4,933 5,581 5,549 5,622 5,294 4,583 5,220 6,323 5,572 4,518 5,538 4,405